Fixed Income

25NOV 2016


Where are the post-Brexit opportunities in Europe?

Schroders experts discuss the outlook for Europe and their best investment ideas for 2017.

18NOV 2016


One week on: how the market changed its tune on Trump

These five charts illustrate how the market’s attitude has softened towards Donald Trump’s win, but how long will it last?

09NOV 2016


How the market reacted to the US election: Four essential charts explained

Following Donald Trump’s victory in the US presidential election we look at the performance of gold, US healthcare stocks, the dollar and the volatility index to gauge the market’s reaction.

09NOV 2016


What does Trump's win mean for bonds?

We discuss some of the implications of the US presidential election result for the global bond market.


06SEP 2016


How can bond investors generate returns in a low rate, post-Brexit world?

Bond investors seeking stable returns face an increasingly difficult task, but there are options available.


01SEP 2016


Return-free risk

Bonds are at the epicentre of what is a highly fragile environment.

23AUG 2016


EM debt: rich or risk?

Historical comparisons are likely to lead investors astray when considering emerging market debt.

18AUG 2016


Are negative rates helping? These three charts suggest not

Desperate times have prompted desperate measures. But is the extreme medicine working? Savers and investors may wish to look away now.



11DEC 2015


What happens once interest rates lift off?

Expectations that the Federal Reserve (Fed) will raise interest rates have increased markedly following the October Federal Open Market Committee (FOMC) meeting, but what does this mean for bond investors?

10DEC 2015


Outlook 2016: Convertible Bonds

Volatility is likely to persist into 2016, but convertible bonds could be well suited to such a backdrop.